We're accepting applications for the position of Operations Consultant with a banking and payments background. The purpose of the role is to attend to day-to-day customer queries and to manage and update the product feature backlog and new enhancements and developments, ensuring business unit readin
deals Experience with negotiating deals at exec level in the client's environment BEHAVIOUR AND COMPETENCIES
Knowledge of tax and compliance requirements Market Related
responsible for performing various office support duties related to procurement within the division. This includes proper filing of SCM (Supply Chain Management) and related documents. As they are urgently needed. Responsibiliities: re-orders when necessary Ensure safety and buffer stock levels are maintained Evaluate received RFQs and create advice when necessary Strive to improve knowledge related to the role Implement personal development plan impact of engaging with stakeholders at the right level Define formal and informal stakeholder liaison channels
Guiding PepsiCo is our vision to Be the Global Leader in Beverages and Convenient Foods by Winning with PepsiCo Positive. Through PepsiCo Positive, we are charting a new course to drive positive action for the planet and people. PepsiCo Positive is an end-to-end strategic business transformation wit
Bachelor's degree in Computer Science, Engineering, or related field Experience: - Minimum of 3 years of experience
CA) having worked with Training in Public (TIP) articles with significant experience
substantiating documentation or reviewing the related accounting entries. This is a 3 – 6-month contract
experience.
Manage and enact public relations strategy:
invoices, purchase orders, expense reports, journal entries, and capitalizing of placed devices as assets. members to resolve discrepancies and address data entry issues. Generate and distribute financial reports proficiency in ERP system functionalities and data entry processes. Adhere to established internal controls system. Assist with ad-hoc projects and tasks related to financial data management and analysis as assigned support team for any system-related issues or queries encountered during data entry or reconciliation processes